Massitan Doumbia
Middle office
I'm from France and I am looking forward towards opportunities locally here in London. I have a very strong academic background in finance with over 1.5 year of experience in Investment Banking, in a wide range of products (Credit derivatives, Interest Rates derivatives, Fx, Structured Products, Mutual Funds etc).
I started in a French prestigious bank at Société Générale Corporate and Investment Banking (SG CIB) in August 2009, as a Sales Middle Officer, in charge of valuations’ reporting distribution and point of contact for clients.
Prior to this, I was in a Fund Administrator at Société Générale Securities Services /Fund Administration Services (ex Euro-VL). As an OTC Middle Officer, I managed paper and electronic confirmations for OTC products, under ISDA documentation.
Prior to this, in the same company but in a different department at Société Générale SS/FAS, I was a Fund Mutual Valuator, responsible for portfolio accountancy and net asset value (NAV). I was in charge to produce daily/weekly reporting of Mutual Funds’ NAV on different type of portfolios.
Majority of these roles require me to adapt to new financial products, systems and way of working. I have achieved a very good knowledge of derivatives products, financial software (Summit, DTCC, etc) that are used by most of banks, and a good understanding of life cycle of trade.
I’d like to continue to be a Middle Officer in Investment Banking or other financial institutions such as Asset Management, Investment Firm etc ... and get more work experience. I’m flexible and open to any vacancies that would suit my experiences and skills.
2009 - 2010As a Sales Middle Officer, my role was to support Salespersons (FICC business) with valuation reporting. I was in charge of mark to market automatic distribution, handling all issues about valuations.
• Creation / monitoring of clients subscriptions
• Running valuation reports in Business Object system
• Identifying/analyzing trades booked in FO systems
• Management of outstanding queries (settlement, booking, valuations issues)
• Covering IRD, CDS, Fx cash & options in Odyssey system, and structured products (EMTN, CLN, CDOs) in Mars system
2008 - 2008Working closely with prime brokers and fund managers, I was, especially for credit derivatives, in charge of paper and electronic confirmations for OTC products.
• Management of paper confirmations
• Electronic confirmations matching process via DTCC
• Checking OTC confirmations underlying terms and conditions to match ISDA documentation
• Follow-up trade events (novations, amendment, termination, assignment, ..), control and validation in Summit system
• Chasing for any missing confirmations on a daily basis
• CDS, Itraxx, CDx, FTD, swaptions, caps & floors, equities & commodities swaps, variance swaps, TRS, ABS,CLN, CDO
2007 - 2007Working closely with depository and fund managers, I was in charge of mutual funds’ valuation, on different classes as equity, bonds, and money market funds in GP3 system.
• Calculation, control and validation of the Net Asset Value (NAV)
• Trade booking in GP3 system (new subscription/Repurchase, stocks, bonds, options, futures)
• Checking and validation of corporate actions (stock split, dividend…) on Bloomberg and Fininfo
• Cash & securities reconciliation
• Follow-up and regularization of suspenses
• Preparation of reporting for auditors